I made a post yesterday where I asking others investors to rate my portfolio and give some suggestions. At that time I was holding $XEQT$VI$VDY and $XQQ. Today I sold VI and VDY and buy only XEQT as it will be my largest position. I still have XQQ but I will sell it once it recovers. So I will just keep XEQT and VFV. On my future contributions I will allocate 80% for XEQT and 20% for VFV.